New addition to joint venture with ETF Securities
Miton's David Jane has revealed the extent of the challenge he faced following his takeover of the group's multi-asset funds from previous manager Martin Gray last year.
Sterling-denominated bonds saw their worst quarter on record in Q2 of 2015, amid a fierce sell-off in German bunds and escalating worries over upcoming rate increases.
What we can learn from this South African boutique
Investors pulled an estimated £1.5bn from Richard Woolnough's M&G Optimal Income fund in April and May as bond market volatility brought a sudden end to the portfolio's rapid AUM growth.
Equity markets have begun to recover after an early slump driven by a plunge in German sovereign debt prices.
Investec Asset Management reveals three trades it believes can produce a different type of return stream for multi-asset portfolios.
The behaviours of the Federal Reserve and the European Central Bank in recent months could not have been more different and are becoming harder and harder to anticipate, says Eric Vanraes, fixed income portfolio manager at EI Sturdza Investment Funds...
Changes in real interest rates have taken investors into uncharted waters in recent years. Janus' Bill Gross asks where they will go from here.